ETJNYSE
Eaton Vance Risk-Managed Diversified Equity Income Fund
$8.36
ListedJul 27, 2007
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateMA| CityBoston| AddressOne Post Office Square| Phone617 482 8260
Eaton Vance Risk-Managed Diversified Equity Income Fund is a closed ended equity mutual fund launched and managed by Eaton Vance Management. The fund invests in the public equity markets of the United States. It primarily invests in common stocks and purchases out-of-the-money, short-dated S&P 500 index put options and sells out-of-the-money S&P 500 Index call options of the same term as the put options with roll dates that are staggered across the options portfolio. The fund invests in stocks of companies operating across diversified sectors. It benchmarks the performance of its portfolio against the S&P 500 Index and the Barclays U.S. Aggregate Bond Index. Eaton Vance Risk-Managed Diversified Equity Income Fund was formed on July 31, 2007 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
11.5
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Div. Rate
$0.78
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Div. Yield
9.16%
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Payout Ratio
105.57%
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Max Consec. Div. Years
19 years
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Longest Consec. Div.
18 years
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Div. Coverage
100%
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Div. Stability Rate
0.11
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Div. Growth Rate
50.00%
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Score
87

Dividend History

Historical dividend payments by ex-dividend date.

May 15, 2026
$ 0.0650
May 14, 2026
$ 0.0700
Apr 15, 2026
$ 0.0700
Mar 16, 2026
$ 0.0700
Feb 17, 2026
$ 0.0700
Jan 15, 2026
$ 0.0700
Dec 15, 2025
$ 0.0700
Nov 14, 2025
$ 0.0700
Oct 15, 2025
$ 0.0700
Sep 15, 2025
$ 0.0700
Aug 15, 2025
$ 0.0700
Jul 15, 2025
$ 0.0700
Jun 16, 2025
$ 0.0700
May 15, 2025
$ 0.0700
Apr 15, 2025
$ 0.0700
Mar 14, 2025
$ 0.0700
Feb 14, 2025
$ 0.0700
Jan 15, 2025
$ 0.0700
Dec 23, 2024
$ 0.0700
Nov 21, 2024
$ 0.0700
Oct 23, 2024
$ 0.0700
Sep 20, 2024
$ 0.0700
Aug 22, 2024
$ 0.0700
Jul 23, 2024
$ 0.0700
Jun 21, 2024
$ 0.0700
May 23, 2024
$ 0.0700
Apr 22, 2024
$ 0.0700
Mar 20, 2024
$ 0.0600
Feb 21, 2024
$ 0.0600
Jan 22, 2024
$ 0.0600
Dec 21, 2023
$ 0.0600
Nov 21, 2023
$ 0.0600
Oct 20, 2023
$ 0.0600
Sep 21, 2023
$ 0.0600
Aug 21, 2023
$ 0.0600
Jul 21, 2023
$ 0.0600
Jun 21, 2023
$ 0.0600
May 19, 2023
$ 0.0600
Apr 21, 2023
$ 0.0600
Mar 21, 2023
$ 0.0600
Feb 21, 2023
$ 0.0600
Jan 23, 2023
$ 0.0600
Dec 22, 2022
$ 0.0600
Nov 22, 2022
$ 0.0600
Oct 21, 2022
$ 0.0800
Sep 22, 2022
$ 0.0800
Aug 23, 2022
$ 0.0800
Jul 21, 2022
$ 0.0800
Jun 22, 2022
$ 0.0800
May 23, 2022
$ 0.0800
Apr 21, 2022
$ 0.0800
Mar 23, 2022
$ 0.0800
Feb 17, 2022
$ 0.0800
Jan 21, 2022
$ 0.0800
Dec 22, 2021
$ 0.0800
Nov 22, 2021
$ 0.0800
Oct 21, 2021
$ 0.0800
Sep 22, 2021
$ 0.0800
Aug 23, 2021
$ 0.0800
Jul 22, 2021
$ 0.0800
Jun 22, 2021
$ 0.0800
May 20, 2021
$ 0.0800
Apr 22, 2021
$ 0.0800
Mar 23, 2021
$ 0.0800
Feb 18, 2021
$ 0.0800
Jan 21, 2021
$ 0.0800
Dec 23, 2020
$ 0.0800
Nov 20, 2020
$ 0.0800
Oct 22, 2020
$ 0.0800
Sep 22, 2020
$ 0.0800
Aug 21, 2020
$ 0.0800
Jul 23, 2020
$ 0.0800
Jun 22, 2020
$ 0.0800
May 21, 2020
$ 0.0800
Apr 22, 2020
$ 0.0800
Mar 23, 2020
$ 0.0800
Feb 20, 2020
$ 0.0800
Jan 23, 2020
$ 0.0800
Dec 23, 2019
$ 0.0800
Nov 21, 2019
$ 0.0760
Nov 20, 2019
$ 0.0800
Oct 23, 2019
$ 0.0800
Sep 20, 2019
$ 0.0800
Aug 22, 2019
$ 0.0760
Jul 23, 2019
$ 0.0760
Jun 20, 2019
$ 0.0760
May 23, 2019
$ 0.0760
Apr 22, 2019
$ 0.0760
Mar 20, 2019
$ 0.0760
Feb 20, 2019
$ 0.0760
Jan 23, 2019
$ 0.0760
Dec 21, 2018
$ 0.0760
Nov 21, 2018
$ 0.0760
Oct 23, 2018
$ 0.0760
Sep 20, 2018
$ 0.0760
Aug 23, 2018
$ 0.0760
Jul 23, 2018
$ 0.0760
Jun 21, 2018
$ 0.0760
May 23, 2018
$ 0.0760
Apr 20, 2018
$ 0.0760
Mar 21, 2018
$ 0.0760
Feb 20, 2018
$ 0.0760
Jan 23, 2018
$ 0.0760
Dec 21, 2017
$ 0.0760
Nov 21, 2017
$ 0.0760
Oct 23, 2017
$ 0.0760
Sep 21, 2017
$ 0.0760
Aug 22, 2017
$ 0.0760
Jul 20, 2017
$ 0.0760
Jun 21, 2017
$ 0.0760
May 22, 2017
$ 0.0760
Apr 19, 2017
$ 0.0760
Mar 22, 2017
$ 0.0760
Feb 16, 2017
$ 0.0930
Jan 20, 2017
$ 0.0930
Dec 21, 2016
$ 0.0930
Nov 21, 2016
$ 0.0930
Oct 20, 2016
$ 0.0930
Sep 21, 2016
$ 0.0930
Aug 22, 2016
$ 0.0930
Jul 20, 2016
$ 0.0930
Jun 21, 2016
$ 0.0930
May 20, 2016
$ 0.0930
Apr 20, 2016
$ 0.0930
Mar 22, 2016
$ 0.0930
Feb 18, 2016
$ 0.0930
Jan 20, 2016
$ 0.0930
Dec 21, 2015
$ 0.0930
Nov 19, 2015
$ 0.0930
Oct 21, 2015
$ 0.0930
Sep 21, 2015
$ 0.0930
Aug 20, 2015
$ 0.0930
Jul 22, 2015
$ 0.0930
Jun 19, 2015
$ 0.0930
May 20, 2015
$ 0.0930
Apr 21, 2015
$ 0.0930
Mar 20, 2015
$ 0.0930
Feb 18, 2015
$ 0.0930
Jan 21, 2015
$ 0.0930
Dec 22, 2014
$ 0.0930
Nov 19, 2014
$ 0.0930
Oct 22, 2014
$ 0.0930
Sep 19, 2014
$ 0.0930
Aug 20, 2014
$ 0.0930
Jul 22, 2014
$ 0.0930
Jun 19, 2014
$ 0.0930
May 21, 2014
$ 0.0930
Apr 21, 2014
$ 0.0930
Mar 20, 2014
$ 0.0930
Feb 19, 2014
$ 0.0930
Jan 22, 2014
$ 0.0930
Dec 20, 2013
$ 0.0930
Nov 20, 2013
$ 0.0930
Oct 22, 2013
$ 0.0930
Sep 19, 2013
$ 0.0930
Aug 21, 2013
$ 0.0930
Jul 22, 2013
$ 0.0930
Jun 19, 2013
$ 0.0930
May 22, 2013
$ 0.0930
Apr 19, 2013
$ 0.0930
Mar 19, 2013
$ 0.0930
Feb 19, 2013
$ 0.0930
Jan 22, 2013
$ 0.0930
Oct 22, 2012
$ 0.2790
Jul 20, 2012
$ 0.2790
Apr 19, 2012
$ 0.2790
Jan 20, 2012
$ 0.3200
Oct 20, 2011
$ 0.3200
Jul 20, 2011
$ 0.3200
Apr 19, 2011
$ 0.3200
Jan 20, 2011
$ 0.3200
Oct 20, 2010
$ 0.4500
Jul 21, 2010
$ 0.4500
Apr 21, 2010
$ 0.4500
Jan 20, 2010
$ 0.4500
Oct 21, 2009
$ 0.4500
Jul 22, 2009
$ 0.4500
Apr 21, 2009
$ 0.4500
Jan 21, 2009
$ 0.4500
Oct 22, 2008
$ 0.4500
Jul 22, 2008
$ 0.4500
Apr 21, 2008
$ 0.4500
Jan 22, 2008
$ 0.4500
Oct 19, 2007
$ 0.4500

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